It's not every day that two central banks coordinate to prop up a sagging currency. That's exactly what the Bank of Japan (BOJ) and the Federal Reserve did in an effort to boost the yen.
Our global markets watchlist tracks nine prominent indexes from economies around the world.
Geopolitical shocks have pushed family offices to rethink nearly every corner of their portfolios. Infrastructure has emerged as the asset class they trust most right now.
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The described company operates a specialized investment fund focused on dividend-paying companies in Japan, with a specific strategy that emphasizes investing in entities listed on the Tokyo Stock Exchange. This investment approach targets companies that are significantly involved in international business, drawing less than 80% of their revenue from within Japan, showcasing a global footprint. The fund commits at least 95% of its assets to securities part of its targeted index or those with similar economic characteristics, following a non-diversified investment strategy. This methodology aims to offer investors exposure to Japanese companies with potential for dividend income and growth, which also have a meaningful international market presence.
The fund provides a singular investment product characterized by a unique focus on dividend-paying Japanese companies with an international business reach. This product is tailored for investors seeking exposure to Japan's equity market beyond its domestic confines.